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Financial Management - Risk Return & Valuation

Authored by Fanny Septina

Social Studies

University

Used 5+ times

Financial Management - Risk Return & Valuation
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11 questions

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1.

MULTIPLE CHOICE QUESTION

10 sec • 1 pt

Selisih antara imbal hasil aktual dengan imbal hasil yang diharapkan disebut return.

Benar

Salah

2.

MULTIPLE CHOICE QUESTION

10 sec • 1 pt

Pembayaran yang diterima karena kepemilikan suatu investasi disebut probabilitas.

Benar

Salah

3.

MULTIPLE CHOICE QUESTION

10 sec • 1 pt

Akar dari varians, yang menggambarkan risiko total.

Covarians

Standard deviation

Beta

Risk

4.

MULTIPLE CHOICE QUESTION

10 sec • 1 pt

Volatilitas harga saham relatif terhadap risiko pasar.

Covarians

Standard deviation

Beta

Risk

5.

FILL IN THE BLANK QUESTION

20 sec • 1 pt

Kontrak jangka panjang dimana peminjam melakukan pembayaran bunga dan pokok pinjaman pada tanggal tertentu kepada pemegang kontrak.

6.

MULTIPLE CHOICE QUESTION

10 sec • 1 pt

Tempat terjadinya perdagangan obligasi.​ ​

Pasar uang

Pasar forex

Pasar modal

OTC

7.

MULTIPLE CHOICE QUESTION

10 sec • 1 pt

Tingkat kupon obligasi merupakan tingkat bunga pasar.

Benar

Salah

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